Theory of Financial Risk and Derivative Pricing
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The substantially expanded 2003 second edition of this ground-breaking book summarizes theoretical developments in statistical tools to measure financial markets. A classic reference for graduate students and researchers working in econophysics, and professionals in the analytical markets.
Информация за "Theory of Financial Risk and Derivative Pricing"
- SKU 9780521741866
- Weight 0.770000
- ISBN 9780521741866
- Вид корица Paperback / softback
- Издателство Cambridge University Press
- Брой страници 400
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